专业:Financial Modelling [MSc]
链接:
https://www.gla.ac.uk/postgraduate/taught/financialmodelling/
课程设置:
Core courses
Financial statistics 金融统计学
International capital markets 国际资本市场
Introduction to R programming R编程
Probability 概率论
Regression models 回归模型
Risk management and derivative securities 风险管理和衍生证券
Statistical inference 统计推论
Time series. 时间序列
Optional courses may include
Behavioural finance 行为经济学
International banking and financial markets. 国际银行和金融市场
费用:£20150
入学要求:
学术要求:
2.1 Honours degree or non-UK equivalent in mathematics, statistics, engineering, physics, or other subjects with a substantial mathematics component.
语言要求:
overall score 6.5
two sub-tests no less than 6.5, no sub-test less than 6.0
or equivalent scores in another recognised qualification:
职业规划;
Financial Modelling prepares you for a rewarding career in the financial sector for example as a quantitative financial analyst, equity analyst or risk analyst. Recent graduates have gone on to work for KPMG, Deloitte and Citic Securities. We have a dedicated careers and employability team who provide 1-2-1 support and advice, group workshops, employer events on campus and networking opportunities throughout the year to help you with your career prospects.











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